Preferably a Qualified chartered Accountant / An MBA with 5 year's experience as a Dealer working in a Bank / Corporate treasury of an organization having significant investment & forex portfolio. Non CA / MBA from Banks should have CAIIB certification.
2) Should have sound practical knowledge in Forex & Fixed Incomed markets & have managed Fx. forwards & option books / products.
3) Good at macro economics, fundamental and technical analysis knowledge preferred.
4) Relevant understanding of RBI / FEMA / FEDAI Guidelines & foreign currency accounting standards.
5) Sound understanding of principles of Risk Management pertaining to Market Risk and ability to optimize performance within framework of organization's Risk Management Policy.
Responsibility of / Expectations from the Role:
1 Identification of Entity's Forex Exposure and Strategize Hedging Operations & execution
2 Liaisoning with economists, bank Corporate desks and maintaining a healthy professional rapport with other market participants
3 Maintaining an open channel with other teams in the Treasury Process Chain.
4 Providing Currency views to Treasury Head and other team members
5 Assisting the team in strategies – being a member or leading a task
6 Conceptualizing innovative hedging strategies and capitalizing on profit generating opportunities within the framework of organization/regulatory guidelines
Last updated on Feb 21, 2023
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